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Portfolio Manager – Options Volatility or Equity L/S Market Neutral

Job Description

About the Opportunity

Portfolio Manager – Options Volatility or Equity L/S Market NeutralA Hong Kong–headquartered investment fund is looking to appoint experienced Portfolio Managers to join its growing investment team. The fund is seeking individuals with a demonstrable, verifiable investment track record and deep expertise in one of the following strategies: Options Volatility or Equity Long/Short – Market Neutral.

Responsibilities

  • Independently manage and grow a portfolio within the assigned strategy
  • Develop, implement and refine investment strategies with disciplined risk management
  • Generate consistent, risk-adjusted returns across market cycles
  • Work closely with the investment, risk and operations teams to ensure robust execution and reporting

About You

Requirements:

  • Proven portfolio management track record within Options Volatility or Equity L/S Market Neutral
  • Strong understanding of portfolio construction, hedging and risk management
  • Ability to articulate investment philosophy and performance drivers clearly
  • Experience within institutional asset management, hedge funds or proprietary trading environments
  • Entrepreneurial mindset with the ability to operate with autonomy and accountability

Benefits

The fund offers a competitive compensation structure aligned to performance, alongside institutional infrastructure and long-term capital support.

About Company

For a confidential discussion, please get in touch.